Responsibilities:
- Accounts Payable Processing – posting and parking high volumes of invoices
- Accounts Receivable Processing – preparing and posting outgoing and estimated invoices
- Checking invoices to ensure all relevant information is present, correct coding and resolving disputes
- Monthly intercompany reconciliation – including downloading the GL from SAP, preparing proper reconciliation, confirming balances with country partners, solving any discrepancies within the threshold limit, determining and posting unrealized foreign exchange gains/losses
- Preparing settlement EFT's for Treasury after confirmation within intercompany entities is completed
- Maintaining the IWO database – requesting pricing from project managers, setting up WBS coding in cooperation with the Master Data team, extending IWO's, IWO billing preparation, plus IWO cancellation and revision coordination
Requirements:
- Understanding and practical knowledge of Finance processes
- Good experience of complete accounting
- Experience with AP and AR
- Excel experience is desirable
- A degree in Finance or related areas is advantage
We offer:
– friendly company culture, collaborative environment
– stable employment within a prosperous company
– possible career growth within the company
– professional trainings, rotation program
– 1 week extra of hollidays
– flexible working hours
– meal vouchers, kafeteria etc.